Optimize your collateral management processes
and keep up with ongoing regulatory changes with our interactive Hot Topic Panels
Takeaways and special features
How buy-side and sell-side are adjusting to the BCBS-IOSCO principles
Liquidity in High-quality Collateral Instruments by SIFMA
Building an initial margin-variation margin framework inside your buy-side business
Where are we now and where are we going? By Diana Shapiro, NAM Head of Collateral Management, Citi
New messaging types for more exotic and complicated trades
Evolution of Collateral Management and Predictions for the Next Decade
Impacts of New Financial Technologies in Collateral Management
SETTING NEW INDUSTRY STANDARDS SECTION
Be part of the change!
Rethinking Risk Management by Itaú Unibanco and Bank of Canada
Excellent program full of conceptual and practical coverage of timely topics!
Panelists were engaging and very well informed.
The conference was very informative with excellent dialogues on very critical issues. People were very open and shared ideas and current practices.
All the presenters were great!
WHAT to expect
- High-level industry practitioners
- SMART PANELS
Consultant / Solution Provider
Q&A with Tara McCloskey from MetLife
Q&A with our speaker for the 6th Annual Collateral Management Forum - Tara McCloskey, Vice President, Derivate Operations Collateral Management at MetLife. Tara joined MetLife August 2015 and has 18 years of experience in the financial services industry. As one of the panelists at the conference she will discuss how to keep up with the major regulatory updates and impacts.
The obstacles to Collateral Management
How will the new regulations affect collateral management and liquidity in the markets, and what steps should the banks take in order to fulfill them and stay effective at the same time? Read on for insights from Diana Shapiro, NAM Head of Collateral Management at Citi.